Financials
Value 202020212022202320242025 TTM Cash from investing activities 381 K100.33 M307.36 M26.81 M-41.52 M-35.83 M -35.83 M Cash from financing activities -2.31 M-103.58 M-112.38 M-139.02 M1.66 M27.55 M 27.55 M Free cash flow -11.87 M-19.06 M-64.08 M-49.53 M-56.62 M-82.38 M -82.38 M